0% found this document useful (0 votes)
205 views9 pages

New Statement

- Mrs. Sona Kethavath has a savings bank account with the State Bank of India. The account statement from January 1, 2018 to July 9, 2018 is presented, showing deposits, withdrawals, transfers and debit card transactions. - Major deposits include credits from Indo-US Super Specialty Hospital totaling Rs. 50,000. Major withdrawals include transfers totaling Rs. 15,000 and debit card payments totaling Rs. 27,000. - As of July 9, 2018 the account balance is Rs. 10,323.22.

Uploaded by

Shiva Kumar
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
205 views9 pages

New Statement

- Mrs. Sona Kethavath has a savings bank account with the State Bank of India. The account statement from January 1, 2018 to July 9, 2018 is presented, showing deposits, withdrawals, transfers and debit card transactions. - Major deposits include credits from Indo-US Super Specialty Hospital totaling Rs. 50,000. Major withdrawals include transfers totaling Rs. 15,000 and debit card payments totaling Rs. 27,000. - As of July 9, 2018 the account balance is Rs. 10,323.22.

Uploaded by

Shiva Kumar
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
You are on page 1/ 9

Account Name : Mrs.

SONA KETHAVATH
Address : P.NO:16,17 NANDAGIRI HILLS JUBILEE
HILLS HYDERABAD 500033
Date : 01 JAN 2018
Account Number : 00000033070061705
Account Description : SBCHQ-GEN-PUB-IND-
NONRURAL-INR Branch : PBB HYDERABAD PUBLIC
SCHOOL
Drawing Power : 0.00 Interest Rate(% p.a.) : 3.5 MOD Balance : 0.00
CIF No. : 86767809022
IFS Code :SBIN0002728
MICR Code : 500002046
Nomination Registered : Yes Balance as on 1 JAN 2018 : 21.57

Account Statement from 1 Jan 2018 to 09 Jul 2018


Txn Date Value Date Description Ref No./Cheque No. Debit Credit Balance

1 Jan 2018 1 Jan 2018 CREDITED BY INDO-US 195811 25,000


SUPER SPECIALITY 25,000
HOSPITAL

2 Jan 2018 2 Jan 2018 TO TRANSFER-INB UA32216564MC3 1.18 24,998.82


MOBUA32216564Commisio 0829671 TRANSFER
n ReferenceNo. TO 319
IsUA322165-
5 Jan 2018 5 Jan 2018 BULK POSTING- 3.75 25,002.57
00000006557 301217
SAI PRIYA FILLING
STAT-
6 Jan 2018 6 Jan 2018 TO TRANSFER-INB UA32839121MO9 2,000.00 23,002.57
IMPS/P2A/800516955558/XX 2797011 TRANSFER
X TO 459
XXXX815kkbk-
8 Jan 2018 8 Jan 2018 TO TRANSFER-INB UA32839460MO9 1,000.00 22,002.57
IMPS/P2A/800516956008/XX 2797436 TRANSFER
X TO 459
XXXX815kkbk-
11 Jan 2018 11 Jan 2018 by debit card- 500.00 21,502.57
SBIPOS000876554637BAND
I LAXMIKANTHAMMA
PENALGONDA-
15 Jan 2018 15 Jan 2018 by debit card- 500.00 21,002.57
OTHPOS800714127453POD
D UTURI SERVICES
HYDERABAD-
18 Jan 2018 18 Jan 2018 BULK POSTING- 3.75 21,006.32
CR_PETROL DISCOUNT
TS002725 06-01-
2018 07012018-
19 Jan 2018 19 Jan 2018 TO TRANSFER-INB UA33550612MO9 3,000.00 18,006.32
IMPS/P2A/800908794331/XX 3634051 TRANSFER
X TO 459
XXXX815kkbk-
21 Jan 2018 21 Jan 2018 ATM WDL-ATM CASH 80100 2,000.00 16,006.32
+GANDHI
NAGER
RANGAREDDI-
25 Jan 2018 25 Jan 2018 TO TRANSFER-INB UA33901144MO9 1,000.00 15,006.32
IMPS/P2A/801016721267/XX 4061207 TRANSFER
X TO 459
XXXX282sbhy-
28 Jan 2018 28 Jan 2018 BY TRANSFER-INB UA33901144MX0 1,000.00 16,006.32
Reversal of MO94061207- 5828850 TRANSFER
FROM 4

28 Jan 2018 28 Jan 2018 by debit card- 700.00 15,306.32


OTHPOS801206298741ONU
S PETRO SERVICES
HYDERABAD-
28 Jan 2018 28 Jan 2018 by debit card-OTHPG 500.00 14,806.32
801312047282IDEAMONE
Y MUMBAI-
29 Jan 2018 29 Jan 2018 by debit card- 300.00 14,506.32
OTHPOS801317306812UNIV
E RSITY HYDERABAD-
29 Jan 2018 29 Jan 2018 by debit card- 500.00 14,006.32
OTHPOS801516203872RAJE
N DER PETRO
SECUNDERAB-
30 Jan 2018 30 Jan 2018 by debit card-OTHPG 10,000.00 4,006.32
801606279057PAYT
M NOIDA-
30 Jan 2018 30 Jan 2018 BULK POSTING- 5.25 4,011.57
00000006557 120118
ONUS PETRO SERVICES-
30 Jan 2018 30 Jan 2018 by debit card-SBIPG 1,000.00 3,011.57
801810038374recharge_payt
m
_PayTM Mumbai-
30 Jan 2018 30 Jan 2018 CSH DEP (CDM)-CDM 1,000.00 4,011.57
040106+DIEBOLDRECYCLER
SRIPURHYDERABAD AP IN-
30 Jan 2018 30 Jan 2018 ************************- 38976288 25.00 3,986.57
- 38976288
Txn Date Value Date Description Ref No./Cheque No. Debit Credit Balance

1 Feb 2018 1 Feb 2018 CREDITED BY INDO- 195311 28,986.57


US SUPER 25,000
SPECIALITY
HOSPITAL
1 Feb 2018 1 Feb 2018 by debit card-OTHPG 10,000.00 18,986.57
801908741138PAYT
M
Noida-
2 Feb 2018 2 Feb 2018 BULK POSTING- 2.25 18,988.82
00000006557 130118
UNIVERSITY
FILLING STA-
2 Feb 2018 2 Feb 2018 TO TRANSFER-INB LSBI5985442109I 3,000.00 15,988.82
Capital GACTKVKV2
First Limited TRANSFER TO
BILL_CAPFL
Payments-
2 Feb 2018 2 Feb 2018 by debit card-OTHPG 1,000.00 14,988.82
802016861222PAYT
M
Noida-

4 Feb 2018 4 Feb 2018 ATM WDL-ATM 523.60 14,465.22


CASH 80222
+NACHARAM
HYDERABAD-
5 Feb 2018 5 Feb 2018 by debit card- 253.00 14,212.22
OTHPOS8022150065
54ISTA MEDICAL
GENERAL
HYDERABAD-
8 Feb 2018 8 Feb 2018 by debit card- 500.00 13,712.22
OTHPOS8022160520
05EMPIR E SERVICE
STATIONHYDERABA
D-
11 Feb 2018 11 Feb 2018 BY TRANSFER-INB UA37229861MO9 2,000.00 15,712.22
IMPS/P2A/UA372298 8040499 TRANSFER
61/XXXX FROM 3
XXX195SBIN-
15 Feb 2018 15 Feb 2018 BY TRANSFER-INB MAB00008259986 7 59.00 15,771.22
IMPS803007647621/ MAB00008259986 7
90009479
21/XX1815/-
17 Feb 2018 17 Feb 2018 by debit card- 300.00 15,471.22
OTHPOS8030090496
22EMPIR E SERVICE
STATIONHyderabad-
20 Feb 2018 20 Feb 2018 CHQ RET 719851 590.00 14,881.22
CHARGES--719851
20 Feb 2018 20 Feb 2018 BY TRANSFER-INB MAB00008291409 5 1,942.00 16,823.22
IMPS803023364623/ MAB00008291409 5
90009479
21/XX7921/comments
-
21 Feb 2018 21 Feb 2018 by debit card- 300.00 16,523.22
OTHPOS8031186178
98SUPE
RINTENDENT
HYDERABAD-
22 Feb 2018 22 Feb 2018 ATM WDL-ATM 500.00 16,023.22
CASH 80321
+BHADURPURA
HYDERABAD-
26 Feb 2018 26 Feb 2018 by debit card- 300.00 15,723.22
OTHPOS8033051096
74SUPE
RINTENDENT OF
HYDERABAD-
26 Feb 2018 26 Feb 2018 by debit card-OTHPG 2,400.00 13,323.22
803308821590PAYT
M
Noida-
27 Feb 2018 27 Feb 2018 by debit card- 3,000.00 10,323.22
SBIPOS00091518598
9SREE VIJAYA
DURGA WINE
RANGAREDD-
27 Feb 2018 27 Feb 2018 BY TRANSFER-INB MAC00008457886 7 970.00 11,293.22
IMPS803519584688/ MAC00008457886 7
90009479
21/XX7921/comments
-
28 Feb 2018 28 Feb 2018 TO TRANSFER- TRANSFER TO 10,000.00 1,293.22
Chq:719846 31710662978
ret/unpaid on
02/05/18charges
recvrd-
Txn Date Value Date Description Ref No./Cheque No. Debit Credit Balance

1 Mar 2018 1 Mar 2018 CREDITED BY INDO- 195428 26,293.22


US SUPER 25,000
SPECIALITY
HOSPITAL
2 Mar 2018 2 Mar 2018 BULK POSTING- 2.25 26,295.47
00000006557 020218
SUPERINTENDENT
OF JAIL-
7 Mar 2018 7 Mar 2018 CSH DEP (CDM)- 2,500.00 28,795.47
CDM 040106SBI
WEST
MARREDPALLY
DHYDERABAD TS
IN-
11 Mar 2018 11 Mar 2018 ************************- 38976288 250.00 28,545.47
- 38976288
15 Mar 2018 15 Mar 2018 TO TRANSFER-INB 453832074IGAC 25,000.00 3,545.47
Shriram WFLBK0 TRANSFER
City Union Financ TO 4599
TECH_SRCUFL
Payments-
18 Mar 2018 18 Mar 2018 BY TRANSFER-INB IHG8843986 150.00 3,695.47
Payment TRANSFER FROM
towards loan 20355515789
repayment-
21 Mar 2018 21 Mar 2018 by debit card- 200.00 3,495.47
OTHPOS8038135531
28PODD UTURI
SERVICES
HYDERABAD-
23 Mar 2018 23 Mar 2018 BY TRANSFER-INB 4538320741IXGA 5,000.00 8,495.47
Refund of GNLDJ2 TRANSFER
IGACWFLBK0- FROM 4
27 Mar 2018 27 Mar 2018 by debit card-OTHPG 4,247.00 4,250.47
804107395275IDEAM
ONEY MUMBAI-
30 Mar 2018 30 Mar 2018 by debit card-SBIPG 4,250.00 00.47
804180098171shrira
mcity TPSL
Mumbai-
Txn Date Value Date Description Ref No./Cheque Debit Credit Balance
No.
1 Apr 2018 1 Apr 2018 CREDITED BY INDO- 25,000.00 25,021.57
US SUPER 195822
SPECIALITY
HOSPITAL
1 Apr 2018 1 Apr 2018 TO TRANSFER-INB UA21778781MO7 10,000.00 15,021.57
IMPS/P2A/730511537 6550406 TRANSFER
710/XXX TO 459
XXXX815KKBK-
2 Apr 2018 2 Apr 2018 TO TRANSFER-INB UA21778781MC2 1.18 15,020.29
MOBUA21778781Co 5257503 TRANSFER
mmision TO 319
ReferenceNo.
IsUA217787-
4 Apr 2018 4 Apr 2018 BY TRANSFER-INB MAB00005597310 1 25,000.00 40,020.21
IMPS730614883222/ MAB00005597310 1
90009479
21/XX1815/MB PAY--
5 Apr 2018 5 Apr 2018 TO TRANSFER-INB UA21779259MC2 1.18 40,019.21
MOBUA21779259Co 5257790 TRANSFER
mmision TO 319
ReferenceNo.
IsUA217792-
8 Apr 2018 8 Apr 2018 ATM WDL-ATM 10,000.00 30,019.21
CASH 73051
+4 7 61
BAPUJINAGAR
NACKV
RANGAREDD-
8 Apr 2018 8 Apr 2018 ATM WDL-ATM 10,000.00 20,019.21
CASH 73051
+4 7 61
BAPUJINAGAR
NACKV
RANGAREDD-
8 Apr 2018 8 Apr 2018 ATM WDL-ATM 6,000.00 14,019.21
CASH 7632 SBH-
MCC, HYDERABAD
HYDERABAD-
9 Apr 2018 9 Apr 2018 by debit card-OTHPG 700.00 13,319.21
730508395641PAYT
M
Noida-
10 Apr 2018 10 Apr 2018 by debit card-OTHPG 500.00 12,819.21
730605047639IDEAM
ONEY MUMBAI-
11 Apr 2018 11 Apr 2018 BY TRANSFER-INB MAB00005597310 1 10,000.00 22,819.21
IMPS730614883222/ MAB00005597310 1
90009479
21/XX1815/MB PAY-
Txn Date Value Date Description Ref No./Cheque No. Debit Credit Balance

11 Apr 2017 11 Apr 2017 TO TRANSFER-INB IHF8134310 10,000.00 12,819.21


pay- TRANSFER TO
52027761038
11 Apr 2017 11 Apr 2017 by debit card-OTHPG 800.00 12,019.21
730609258984PAYT
M NOIDA-
11 Apr 2017 11 Apr 2017 ATM WDL-ATM 500.00 11,519.21
CASH 4746 NEW
MALLEPALLY
HYDERABAD-
12 Apr 2017 12 Apr 2017 by debit card- 300.00 11,219.21
OTHPOS7308146169
07SVS PETRO
PRODUCTS
HYDERABAD-
12 Apr 2017 12 Apr 2017 by debit card- 450.00 10769.21
OTHPOS7309065320
37VENK
ATESHWARA WINES
HYDERABAD-
15 Apr 2017 15 Apr 2017 by debit card- 200.00 10569.21
OTHPOS7311052608
03HPCL EMPIRE
SERVICE
HYDERABAD-
18 Apr 2017 18 Apr 2017 by debit card- 2035.00 8,534.21
SBIPOS00078297936
5SRI VIJAYA DURGA
WINES
HYDERABAD-
20 Apr 2017 20 Apr 2017 TO TRANSFER- TRANSFER TO 23.60 8,510.61
INSUF BAL ATM 98353071095
DECLINE CHARGE-
071117-
22 Apr 2017 22 Apr 2017 ATM WDL-ATM 3000.00 5,510.61
CASH 73112
+ATM CASH-HEMA
NAGAR
HYDERABAD-
28 Apr 2017 28 Apr 2017 BULK POSTING- 2.25 5,512.86
00000006557 041117
SVS PETRO
PRODUCTS-
30 Apr 30 Apr Monthly Ave - Bal No- 12.86 5,525.72
2017 2017 -
Txn Date Value Date Description Ref No./Cheque Debit Credit Balance
No.
1 May 2018 1 May 2018 CREDITED BY INDO- 195833 25,000.00 30,525.72
US SUPER
SPECIALITY
HOSPITAL
4 May 2018 4 May 2018 BY TRANSFER-INB MAA00007731559 1 50.00 30,575.72
IMPS733812736357/ MAA00007731559 1
90009479
21/XX1815/-
4 May 2018 4 May 2018 TO TRANSFER-INB UA26874635MO8 10,000.00 20,575.72
IMPS/P2A/733813675 5079952 TRANSFER
696/XXX TO 459
XXXX815KKBK-
4 May 2018 4 May 2018 TO TRANSFER-INB UA26874635MC2 1.18 20574.54
MOBUA26874635Co 8251272 TRANSFER
mmision TO 319
ReferenceNo.
IsUA268746-
4 May 2018 4 May 2018 Monthly Ave - Bal No- 46.14 20,528.4
-
5 May 2018 5 May 2018 CASH DEPOSIT- 8000.00 28,528.4
CASH
Deposited at GCC-
7 May 7 May by debit card-SBIPG 79.00 28,449.4
2018 2018 735060039804shopp
aytm PayTM
Mumbai-
8 May 8 May ATM WDL-ATM 500.00 27,479.4
2018 2018 CASH 73501
+GOLNAKA CROSS
RDOATM
HYDERABAD-
10 May 10 May by debit card-OTHPG 200.00 27749.4
2018 2018 735316097572IDEAM
ONEY MUMBAI-
11 May 11 May CASH DEPOSIT- 3,000.00 30,749.4
2018 2018 CASH
Deposited at GCC-
12 May 12 May TO TRANSFER-INB LSBI5902197280I 10,000.00 20,749.4
2018 2018 Capital GACOTEYP2
TRANSFER TO
First Limited
BILL_CAPFL
Payments-
13 May 13 May BULK POSTING- 225.00 20,974.4
2018 2018 cashback_2017
00045915001810175
48-
25 May 25 May CREDIT INTEREST-- 4.00 20,978.4
2017 2017
26 May 26 May TO TRANSFER-INB UA30839391MO9 250.00 20,728.4
2017 2017 IMPS/P2A/736018515 0380509 TRANSFER
311/XXX TO 459
XXXX815Kkbk-
27 May 27 May BY TRANSFER-INB MAB00007230834 7 3,500.00 24,228.4
2017 2017 IMPS736114329807/ MAB00007230834 7
90009479
21/XX1815/-
28 May 28 May by debit card- 212.00 24,016.4
2017 2017 OTHPOS7362115212
38BAKE RS Q
RANGARED
DY-
28 May 28 May REVERSE POS PUR- 212.00 24,228.4
2017 2017 -
28 Dec 28 Dec by debit card- 212.00 24,016.4
2017 2017 OTHPOS7362115313
40BAKE RS Q
RANGARED
DY-
29 May 29 May ATM WDL-ATM 1,000.00 23,016.4
2017 2017 CASH 73631
+NACHARAM
HYDERABAD
HYDERABAD-
30 May 30 May TO TRANSFER-INB UA31446304MO9 800.00 22,216.4
2017 2017 IMPS/P2A/736413811 1173433 TRANSFER
356/XXX TO 459
XXXX896kkbk-
30 May 30 May by debit card- 500.00 21,716.4
2017 2017 OTHPOS7364102410
15SAI PRIYA
FILLING
HYDERABAD-
30 May 30 May by debit card- 459.00 21,257.4
2017 2017 OTHPOS7364121600
03MADH USHALA
WINES
HYDERABAD-
30 May 30 May Monthly Ave - Bal No- 59.00 21,198.4
2017 2017 -
Txn Date Value Date Description Ref No./Cheque Debit Credit Balance
No.
1 Jun 2018 1 Jun 2018 CREDITED BY INDO- 195844 25,000.00 46,198.4
US SUPER
SPECIALITY
HOSPITAL
2 Jun 2018 2 Jun 2018 ATM WDL-ATM 4000.00 42,198.54
CASH 80011
MALKAJGIRI
SECUNDRABAD-
3 Jun 2018 3 Jun 2018 BY CLEARING / 823367 3015.00 45,213.54
CHEQUE-AXS BY
CLEARING-823367

4 Jun 2018 4 Jun 2018 TO TRANSFER-INB UA32002020MO9 20,000.00 25,213.54


IMPS/P2A/800211942 1805503 TRANSFER
052/XXX TO 459
XXXX815KKBK-
5 Jun 2018 5 Jun 2018 TO TRANSFER-INB UA32002020MC3 111.18 25,101.82
MOBUA32002020Co 0725258 TRANSFER
mmision TO 319
ReferenceNo.
IsUA320020-
5 Jun 2018 5 Jun 2018 by debit card-OTHPG 10,000.00 15,101.82
800206001096IDEAM
ONEY MUMBAI-
6 Jun 2018 6 Jun 2018 TO TRANSFER-INB UA32080898MO9 8,000.00 7,101.82
IMPS/P2A/UA320808 1905940 TRANSFER
98/XXXX TO 520
XXX038sbin-
9 Jun 2018 9 Jun 2018 TO TRANSFER-INB UA32080898MC3 1.18 7,100.64
Commision 0764737 TRANSFER
ReferenceNo. TO 319
IsUA32080898-
10 Jun 2018 10 Jun 2018 TO TRANSFER-INB UA32081523MO9 2,000.00 5,100.64
IMPS/P2A/UA320815 1906801 TRANSFER
23/XXXX TO 520
XXX038sbin-
13 Jun 2018 13 Jun 2018 TO TRANSFER-INB UA32081523MC3 1.18 5,009.46
Commision 0765055 TRANSFER
ReferenceNo. TO 319
IsUA32081523-
16 Jun 2018 16 Jun 2018 BY TRANSFER-INB MAB00007230834 7 30,099.46
IMPS736114329807/ MAB00007230834 7 25,000
90009479
21/XX1815/-
1 7Jun 2018 1 7Jun 2018 by debit card-OTHPG 10,000.00 20,099.64
801908741138PAYT
M
Noida-
19 Jun 2018 19 Jun 2018 BULK POSTING- 2.25 20,101.46
00000006557 130118
UNIVERSITY
FILLING STA-
20 Jun 2018 20 Jun 2018 TO TRANSFER-INB LSBI5985442109I 3,000.00 17,101.46
Capital GACTKVKV2
First Limited TRANSFER TO
BILL_CAPFL
Payments-
22 Jun 2018 22 Jun 2018 by debit card-OTHPG 1,000.00 16,101.46
802016861222PAYT
M
Noida-
24 Jun 2018 24 Jun 2018 ATM WDL-ATM 523.60 15,577.86
CASH 80222
+NACHARAM
HYDERABAD-
25 Jun 2018 25 Jun 2018 by debit card- 253.00 15,324.86
OTHPOS8022150065
54ISTA MEDICAL
GENERAL
HYDERABAD-
28 Jun 2018 28 Jun 2018 by debit card- 500.00 14,824.86
OTHPOS8022160520
05EMPIR E SERVICE
STATIONHYDERABA
D-
28 Jun 2018 28 Jun 2018 BY TRANSFER-INB UA37229861MO9 2,000.00 16,824.86
IMPS/P2A/UA372298 8040499 TRANSFER
61/XXXX FROM 3
XXX195SBIN-
28 Jun 2018 28 Jun 2018 BY TRANSFER-INB MAB00008259986 7 59.00 16,883.86
IMPS803007647621/ MAB00008259986 7
90009479
21/XX1815/-
29 Jun 2018 29 Jun 2018 by debit card- 5000.00 11,883.86
OTHPOS8030090496
22EMPIR E SERVICE
STATIONHyderabad-
30 Jun 2018 30 Jun 2018 CHQ RET 719851 590.00 11,293.86
CHARGES--719851
Txn Date Value Date Description Ref No./Cheque Debit Credit Balance
No.
30 Jun 2018 30 Jun 2018 BY TRANSFER-INB MAB00008291409 5 942.00 12,235.86
IMPS803023364623/ MAB00008291409 5
90009479
21/XX7921/comments
-
1 Jul 2018 1 Jul 2018 CREDITED BY INDO- 195311 37,235.86
US SUPER 25,000
SPECIALITY
HOSPITAL
2 Jul 2018 2 Jul 2018 ATM WDL-ATM 15,000.00 22,235.86
CASH 80321
+BHADURPURA
HYDERABAD-
3 Jul 2018 3 Jul 2018 by debit card- 3000.00 19,235.86
OTHPOS8033051096
74SUPE
RINTENDENT OF
HYDERABAD-
5 Jul 2018 5 Jul 2018 by debit card-OTHPG 2,400.00 16,835.86
803308821590PAYT
M
Noida-
6 Jul 2018 6 Jul 2018 by debit card- 3,000.00 13,835.86
SBIPOS00091518598
9SREE VIJAYA
DURGA WINE
RANGAREDD-
8 Jul 2018 8 Jul 2018 BY TRANSFER-INB MAC00008457886 7 970.00 14,805.86
IMPS803519584688/ MAC00008457886 7
90009479
21/XX7921/comments
-
9 Jul 2018 9 Jul 2018 TO TRANSFER- TRANSFER TO 10,000.00 4,805.86
Chq:719846 31710662978
ret/unpaid on
02/05/18charges
recvrd-

You might also like